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EPT Disclosure

7th Nov 2005 11:24

GoldmanSachs International07 November 2005 Amendment: FORM 38.5 (DERIVATIVE) DEALINGS IN DERIVATIVES BY CONNECTED EXEMPT PRINCIPAL TRADERS (Rule 38.5 of The City Code on Takeovers and Mergers) Name of exempt principal trader Goldman Sachs International Company dealt in Prudential Plc Description of all derivative products Contracts for Difference (CFD)disclosed on this form Relevant security to which the derivative Prudential Plc Ordsis referenced Name of offeree/offeror with whom connected Egg Plc Nature of connection # Advisor Full details of any agreement, arrangement or Noneunderstanding between the person disclosing and anyother person relating to the voting rights or futureacquisition or disposal of any relevant securities towhich any derivative referred to on this form isreferenced. If none, this should be stated. Date of dealing 03 November 2005 WRITING/ENTERING INTO A DERIVATIVE Product name Transaction Writing/entering into Number of securities to Reference price Maturity date (indicate as which the derivative is (currency must dateeg long CFD applicable) referenced be stated) Long CFD 03 November Writing 31,285 4.905 GBP NOV 03,15 2005Long CFD 03 November Writing 50,000 4.915295 GBP NOV 03,15 2005Long CFD 03 November Writing 8,634 4.962587 GBP NOV 03,15 2005Short CFD 03 November Writing 50,000 4.978451 GBP NOV 03,15 2005Short CFD 03 November Writing 50,000 5.02 GBP NOV 03,15 2005Long CFD 03 November Writing 31,285 4.907453 GBP NOV 02,15 2005 CLOSING OUT A DERIVATIVE Product name Transaction Number of securities to which the Reference price Closing out price date derivative is referenced (currency must (currency must beeg long CFD be stated) stated) Long CFD 03 November 100,000 5.04754 GBP 4.96796 GBP 2005Short CFD 03 November 21,234 4.564344 GBP 4.940694 GBP 2005Short CFD 03 November 50,000 4.890115 GBP 4.915295 GBP 2005Long CFD 03 November 50,000 4.915295 GBP 4.978455 GBP 2005Short CFD 03 November 50,000 4.978451 GBP 5.020001 GBP 2005Short CFD 03 November 7,121 5.1492 GBP 4.9676 GBP 2005Long CFD 03 November 400,000 5.1251 GBP 4.96796 GBP 2005 Date of disclosure 07 November 2005 Contact name Joanna Bates Telephone number +44 207-774-8790 # See the definition of "connected fund managers and principal traders" in theDefinitions Section of the Code. For details of the Code's dealing disclosure requirements, see Rules 8 and 38.5and their Notes which can be viewed on the Takeover Panel's website atwww.thetakeoverpanel.org.uk This information is provided by RNS The company news service from the London Stock Exchange

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